2.12.14 Perishables Details Screen
This topic describes the information on Perishables Details screen.
- On the Home screen, specify
GCDCOLPC in the text box and click the
icon.
- On Perishables screen , click the Perishables
Details tab.The Perishables Details screen is displayed. For more information on fields, refer to the field description table.
Table 2-88 Currency Details - Field Description
Fields Description Currency If the collateral being is enabled for manual revaluation, then click the icon and select the currency from the option list. However, in case collateral being is enabled for external revaluation, currency gets populated based on the security code selected.
Amount In Collateral Currency Wherever property value currency is different from collateral currency, property value in the collateral is converted to collateral currency as per rate configured and collateral value is updated. Perishables Details
In this section, customer collateral of type perishables can be maintained. Perishables can be of fruit, flower and vegetables. When multiple perishables records are included as part of one customer collateral, sum of item values of all crops are updated as collateral value.
When multiple perishables records are added to customer collateral, last of end dates is updated as collateral end date. At the end date of the last record, collateral value is updated as zero. However, when a particular perishables linked to a collateral reaches end date first, then the collateral value is reduced to this extent.Table 2-89 Perishables Details - Field Description
Field Description Shelf Life (in days) and Shelf Life End Life Shelf life (in days) is based on the Harvested date and Shelf life End date. Residual value is mandatory when Shelf life End date is provided. Residual Value Residual value is updated as the Collateral value once the Shelf Life End date has been crossed. Harvest Date Harvest date cannot be future dated. End Date End date cannot be back dated or current dated. Insurance Details Click this button to add perishable specific insurance details. For more information on insurance details, refer unresolvable-reference.html#GUID-83C05BC0-0D1F-498E-9A52-BE959CDE5D53.
Valuation Details Click this button to add perishable valuation details. For more information on valuation details, refer unresolvable-reference.html#GUID-FB2AC47B-DF5E-4EED-87E2-DF3F37B9FEFD.
Cold storage or Godown Details
The storage details of perishables can be updated. You can also enter insurance details for perishables.
Table 2-90 External pricing details - Field Description
Field Description Security code When the collateral is enabled for external revaluation, click the icon and select can select the security code from the adjoining list.
Security description Displays the description of the security code selected. Market Price code click the icon and select can select one or more price codes configured for this security code.
Unit value Unit value is defaulted for the price code selected. Number of units Specify the number of units of security being considered for collateral creation. Current value Based on unit value and number of units, current value is calculated and displayed. - Click Save to save the record.
Parent topic: Collateral Maintenance Launch